Corporate Debt security Details

Vantiv UK Group Limited

Description US$385,535,783 5.95% Fixed Rate Notes due 2028
Series First Notes
Coupon Fixed 
Coupon Frequency Semi-Annual
Maturity Date 16 Jan 2028
Issue Date 16 Jan 2018
Currency USD
Listed Amount Outstanding 385,535,783.00
Minimum Denomination -
1st Interest Payment Date 15 May 2018
Listing Type Primary Listing on CSX
ISIN GB00BG0SSV21
AuditorDeloitte LLP
Legal AdvisorSkadden, Arps, Slate, Meagher & Flom (UK) LLP

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